Bond Payment and Record Date

Bond Payment and Record Date

Payment of Bond Interest- 31.03.2024

Payment of Bond Interest- 22.03.2024

Payment of Bond Interest- 19.03.2024

Bond Rating Infomerics - 04.03.2024

Bond Rating CARE- 20.02.2024

Bond Rating-Acuite- 20.02.2024

Record Date Initimation- 09.02.2024

Payment of Bond Interest- 16.12.2023

Bond Rating-India Ratings- 15.12.2023

Record Date Initimation- 06.11.2023

Half Yearly Statement of Banks Listed debt securities- 06.10.2023

Payment of Bond Interest- 28.06.2023

Record Date Initimation- 24.05.2023

Half Yearly Statement of Banks Listed debt securities- 04.04.2023

Payment of Interest - 31.03.2023

Disclosure under Reg 57 (4)- 23.03.2023

Payment of Interest - 22.03.2023

Bond Rating -Assigned- 09.03.2023

Bond Rating - Reaffirmation- 24.02.2023

BOND RATING- New and Reaffirmation-Acuite- 21.02.2023

Record Date Intimation - 15.02.2023

Redemption - 28.12.2022

16122022-Payment of Interest on 9.71% BASEL III Tier II Bonds – INE691A08062

Bond Ratings - Reaffirmed

Revision in Rating of Bonds

Intimation of Record date under Regulation 60(2) of SEBI(LODR) Regulations 2015

Disclosure in terms of Regulation 57(5) of SEBI (LODR) Regulations 2015

Submission of Statement pursuant to Chapter VIII of SEBI Operational Circular dated August 10, 2021

Disclosure in terms of Regulation 57(4) of SEBI LODR

Intimation of Record date under Regulation 60(2) of SEBI(LODR) Regulations 2015

Annual Disclosure of Non-Convertible Securities for the financial Year 2021-22

Payment of Bond Interest-28062022

Disclosure under Reg 57(5) of LODR-04042022

Disclosure under Reg 57(4) of LODR-23062022

Disclosure under Reg 57(5) of LODR-01072022

Clarification- Disclosure under Reg 52(7) of LODR-20052022

Allotment of 8.51% BASEL III Tier II Bond -31032022

Allotment of 8.51% BASEL III Tier II Bond - 22032022

Record Date Intimation-20052022

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